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Wasaga Distribution Inc. Assurance of Voluntary Compliance EB20220292 Filed: December 13th, 2022 Page 1 of 4Assurance of Voluntary CompliancePursuant to section 112.7 of the Ontario Energy Board Act,
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Start by obtaining a copy of the Wasaga Assurance of Voluntary Compliance form.
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Read through the form carefully to understand the requirements and obligations.
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Fill in the personal information section, providing your name, address, and contact details.
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In the next section, describe the specific action or behavior for which you are providing assurance of voluntary compliance.
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If applicable, provide any relevant dates or timeline associated with the compliance.
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Indicate your agreement to comply with the stated requirements by signing and dating the form.
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Attach any supporting documents or evidence if required.
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Anyone who has been requested or required to provide assurance of voluntary compliance in the context of Wasaga can benefit from this form.
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This may include individuals, businesses, or organizations that have engaged in actions or behaviors that are subject to regulatory oversight or investigation.
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The form serves as a documented commitment to follow the specified requirements and avoid any potential penalties or legal consequences.
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Wasaga Assurance of Voluntary Compliance is a compliance mechanism used by regulatory bodies to ensure that businesses adhere to legal and regulatory standards. It aims to promote voluntary compliance to prevent violations.
Businesses and individuals who have been identified as non-compliant with regulations or standards are required to file a Wasaga Assurance of Voluntary Compliance.
To fill out the Wasaga Assurance of Voluntary Compliance, the filer must provide detailed information about their business operations, the specific compliance issues being addressed, and outline the steps they will take to rectify the violations.
The purpose of the Wasaga Assurance of Voluntary Compliance is to rectify non-compliance issues in a timely manner and to foster a culture of compliance among businesses.
Information that must be reported includes the nature of the compliance issue, the reasons for non-compliance, and the specific corrective actions planned or already taken.
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